?
Метод анализа иерархий в количественной оценке рисков бизнес-процессов
Аудиторские ведомости. 2015. № 12. С. 26-45.
Shtefan M. A., Баласанян А. Э.
The paper aims to develop a methodology of business process risk evaluation. Research is based on analytic hierarchy process modification, morphological analysis and testing. Practical approval of the methodology is carried out on the business process “Personnel management”.
Баласанян А. Э., Аудиторские ведомости 2015 № 12 С. 26-45
The paper aims to develop a methodology of business process risk evaluation. Research is based on analytic hierarchy process modification, morphological analysis and testing. Practical approval of the methodology is carried out on the business process “Personnel management”. ...
Added: December 21, 2015
Tevanyan E., Penikas H. I., Банковское дело 2015 № 7 С. 72-81
Bank of Russia instruction No. 154-I requests to develop remuneration system for bank employees that take and control risks, particularly paying attention to defining variable and deferred parts of remuneration. This paper addresses the first issue to define veariable part of remuneration. Paper offers optimal incentive contract for agents that differ by risk-perception considering the ...
Added: July 5, 2015
Penikas H. I., Andrievskaya I. K., Model Assisted Statistics and Applications 2012 Vol. 7 No. 4 P. 267-280
According to the strategy of the banking system development until 2015, the Central Bank of Russia is going to implement Basel II Internal-Ratings-Based (IRB) approaches in 2015, while Basel III is planned to be introduced in full starting from 2019. Taking into account the effects of the Basel II regulation during the crisis 2008-2009, in ...
Added: November 6, 2012
Dzhagityan E. P., The Banker Magazine / Financial Times, U.K. 2014 Vol. 163 No. 1059 P. 8-8
N/A ...
Added: January 2, 2017
Жуков А. Е., Финансы и кредит 2012 № 28 (508) С. 53-61
В статье отмечается, что изменение демографической ситуации во многих странах мира привело к развитию накопительной пенсионной системы и негосударственных пенсионных фондов (НПФ). Вопросы финансовой устойчивости НПФ имеют особое значение для регулирующих органов, так как фонды определяют доход своих клиентов в пожилом возрасте. Проводится анализ и сопоставление методов определения финансовой устойчивости надзорными органами в четырех странах. ...
Added: November 27, 2012
Selmier W. T., Penikas H. I., Vasilyeva K., Procedia Computer Science 2014 Vol. 31 P. 115-123
This paper aims to present an alternative paradigm of financial risk to mitigate future financial crises. We argue that risk is not simply a feature of a financial product but a good in and of itself. Examining financial risk, we argue that it is most accurately typed as a common pool (particularly systemic risk) and so ...
Added: July 3, 2014
Filosofova T. G., М. : ЮНИТИ, 2012
Дана общая характеристика лизинга. Рассмотрены особенности взаимодействия субъектов, формы лизинга. Приведены методики расчета лизинговых платежей и эффективности лизинговых сделок ...
Added: February 2, 2017
Shvets S. K., Вестник Российской академии естественных наук 2013 № 4 С. 149-156
We research the problem of risk diagnostics at a ship-building company. The procedures os classification, identification, mapping and cataloguing risks are considered. An algorithm of risk diagnostics considering specific features of a ship-building company is offered. ...
Added: March 9, 2014
Беунца Д., Старк Д., Экономическая социология 2016 Т. 17 № 2 С. 50-81
The article treats quantitative finance sociologically. It is argued that although mathematical modeling dramatically changed the nature of modern finance, it did not eliminate sociality from financial markets. However, the traditional sociological approach to markets, with its focus on personal social ties and networks, should be transformed as well. Anonymous financial models have not replaced ...
Added: April 10, 2016
Shvets S. K., Вестник Российской академии естественных наук 2013 № 4(17) С. 43-51
We assess the current level of risk management in Russian companies and determine key trends of risk management development. Problems and factors of risk management development in Russia are described. The evolution of comcepts of corporate risk management is researched. We analyze the theory of risk taking into consideration the new paradigms of technological structures ...
Added: March 9, 2014
Penikas H. I., Управление финансовыми рисками 2017 Т. 49 № 1 С. 2-16
Статья посвящена проектированию банковского регулирования, основанному на сравнении банков с транспортными потоками. Предложенные автором аналогии позволяют экстраполировать решения задач по управлению транспортными потоками на область регулирования финансовых рисков. В работе обосновывается, что финансовой стабильности можно достичь только при минимизации регулирования, а не его ужесточении. ...
Added: January 28, 2017
Ayvazyan S. A., Andrievskaya I. K., Penikas H. I. et al., Review of Applied Socio-Economic Research 2011 Vol. 1 No. 1 P. 70-80
The world financial crisis of 2008-2009 has shown that the existence of systemically important financial institutions (SIFIs) poses serious policy challenges to both developed and developing economies’ authorities. As for now there are different approaches to identifying SIFIs focused on contagion, concentration, correlation and conditions effects. The paper aims at testing a new approach to ...
Added: November 3, 2013
Krivda S., Варсегов А. Г., Управленческий учет 2015 № 9 С. 19-29
The article offers the author's method of analysis and evaluation of legal risks in a commercial organization. Contains the definition of legal risk, offers their classification. This paper proposes a mechanism for calculating the valuation of legal risks, as well as the interrelation of legal risks and financial condition of the commercial organization. ...
Added: October 1, 2015
Shvets S. K., Морской вестник 2013 № 1(10) С. 120-123
Identified: the conceptual basis for the development and implementation of enterprise risk management in the shipbuilding industry. Comparative analysis of the systems of integrated risk management in the shipbuilding company. Recommendations on the implementation of ISO 31000:2009 at the enterprises of the industry. ...
Added: March 9, 2014
НИУ ВШЭ, 2020
On December 25,2020, the second national Conference of researchers of economics, Business and society was held at the Higher School of Economics–Saint Petersburg. This event was associated with the discussion of academic and applied issues on the results and challenges that 2020 brought in various fields of science and practice: finance, economics, mathematics,education. The online ...
Added: March 24, 2021
Kravchenko T. K., Seredenko N., Scherbinin O. P. et al., Актуальные вопросы современной науки 2010 № 11 С. 217-222
Одной из ключевых особенностей Экспертной системы поддержки принятия решений (ЭСППР) является наличие большого числа включенных в систему методов принятия решений, описанных в рамках общей терминологии. Для включения новых методов принятия решений в ЭСППР необходимо уложить теоретические основы этих методов в термины существующей системы. Данная работа посвящена исследованию метода анализа иерархий (МАИ) на предмет возможности включения ...
Added: July 27, 2012
Polyakov K. L., М. : Московский государственный институт электроники и математики, 2012
Рассматриваются методы организационного моделирования, такие как цепочки формирования добавленной ценности, сбалансированная система показателей, моделирование бизнес – процессов в нотации eEPC, а также различные варианты пооперационного учета затрат. Для студентов старших курсов, имеющих хорошую подготовку в области экономики предприятия тактического и стратегического менеджмента, аспирантов, а также менеджеров, применяющих на практике методы организационного моделирования, в частности, при ...
Added: March 16, 2013
Vukovic D., Moinak M., Research in International Business and Finance 2019 Vol. 50 P. 369-380
Despite the wide range of alternatives that have been proposed by
academics and practitioners, the Sharpe ratio remains one of the most popular metrics used to
evaluate investment performance. In the proposed research, risks and returns are analysed on
the European Monetary Union bonds market, with different bonds ratings and maturities,
during the period from 2005 to 2017. The ...
Added: February 8, 2019
Podinovskiy V. V., Искусственный интеллект и принятие решений 2015 № 2 С. 60-74
Приводится аналитический обзор числовых характеристик (мер) риска, применяемых в качестве критериев для оценки вариантов выбора в задачах принятия решений. Особое внимание уделяется среднему полуотклонению. ...
Added: July 10, 2015
Penikas H. I., Vasilyeva K., Selmier II W. T., / Indiana University. Series "Addressing the Complexities of Property Rights in Financial Markets". 2013. No. W13–11.
The recent financial crisis has once again shown us that our knowledge of the financial sphere is insufficient to manage, let alone control, these types of crises. The concept of risk is a crucial pillar in that sphere, and this paper aims to present an alternative paradigm of risk to mitigate future financial crises. Our ...
Added: May 24, 2013
Rasskazova A. N., Rasskazov S. V., СПб. : Издательство СЗИУ РАНХиГС, 2013
The tutorial discusses the practical computer analysis in the solution of problems in financial management topics . Included guidelines for the quantitative description of the planning system in financial management. An overview of key categories and provisions for asset management and capital. Revealed theoretical issues related to investment management . The material in this manual ...
Added: March 9, 2013
Penikas H. I., Financial Stability Journal 2015 Vol. 28 No. 5 P. 9-47
In its anniversary 40 years the Basel Committee on Banking Supervision (BCBS) has published 453 documents that have framed the general bank (and particularly risk) supervision and regulation worldwide. The objective of the paper is to investigate the main stages of BCBS regulation evolution, key facts related to bank and risk regulation development process and ...
Added: June 13, 2015
Подиновская О. В., Информационные технологии моделирования и управления 2010 № 1(60) С. 71-80
Статья рассказывает о принятии многокритериальных решений с использованием метода анализа иерархий. Метод Анализа Иерархий (МАИ) — математический инструмент системного подхода к сложным проблемам принятия решений. МАИ не предписывает лицу, принимающему решение (ЛПР), какого-либо «правильного» решения, а позволяет ему в интерактивном режиме найти такой вариант (альтернативу), который наилучшим образом согласуется с его пониманием сути проблемы и требованиями ...
Added: October 21, 2012
Kulagin V., Kozina E. O., Grushevenko D., Энергетическая политика 2015 № 1 С. 49-57
The paper analyses the criticality of dependence of Russian oil and gas sector on imported equipment, and presents the specific mechanisms of how effectively and with regard to the state interests ensure the future sustainable development of the sector taking into account technological demands. Particular attention is paid to the creation of the conditions, which ...
Added: May 8, 2015